Deal Execution Analyst – Secondary Markets
Job Description
As a Deal Execution Analyst, you will: - Serve as an extension of deal teams for execution and analytics. - Manage financial analysis, due diligence, and operational efficiency throughout transactions. - Uphold execution standards, speed, and consistency across all deals. - Develop and maintain financial models for secondary market transactions, including cash flow modeling and scenario analysis. - Perform valuation analysis and support pricing for private equity, credit, and alternative assets. - Draft internal investment memos, diligence summaries, presentations, and IC materials. - Review transaction documents from sellers, buyers, fund administrators, and custodians. - Research asset characteristics, performance history, and market comparables. - Support portfolio analytics, benchmarking, and risk assessment. - Maintain trackers, templates, and structured workflows. - Collaborate with payments, KYC/AML, compliance, and operations teams to ensure seamless transaction progression. - Prepare detailed summaries and execution materials to facilitate timely decision-making.
Qualifications
The ideal candidate should have: 1. 2-3 years of experience as an analyst on an investment banking deal team (M&A, LevFin, DCM, ECM, or sector coverage) at a bank or boutique. 2. Experience in Big 4 Transaction Services, Financial Due Diligence, or Deals advisory with direct exposure to buy-side or sell-side transaction execution. 3. Strong financial modeling and Excel skills. 4. Familiarity with secondary markets, equity instruments, or private capital. 5. Experience preparing investment memos and diligence materials. 6. High ownership, attention to detail, and comfort with ambiguity. 7. Excellent written and verbal communication skills.
Benefits
- Flexible work arrangements
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